Question

In: Accounting

4. Capstone, Inc. (Chapter 9) Capstone, Inc. is preparing its budget for the coming year, 2020....

4. Capstone, Inc. (Chapter 9)

Capstone, Inc. is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. Capstone, Inc. gathered the following information from the managers.

Sales

Unit sales for November 2019                       113,000

Unit sales for December 2019                        103,000

Expected unit sales for January 2020                        115,000

Expected unit sales for February 2020           114,500

Expected unit sales for March 2020               118,000

Expected unit sales for April 2020                 130,000

Expected unit sales for May 2020                  140,000

Unit selling price                                              $12.50

Capstone, Inc. likes to keep 10% of the next month’s unit sales in ending inventory. All sales are on account. 85% of the Accounts Receivable are collected in the month of sale, and 15% of the Accounts Receivable are collected in the month after sale. Accounts receivable on December 31, 2019, totaled $175,000.

Direct Materials

Item                 Amount Used per Unit           Inventory, Dec. 31

Metal                  1 lb @ 58¢ per lb.                                5,177.5 lbs

Plastic             12 oz @ 6¢ per oz                              3,883.125 lbs

Rubber              12 oz @ 5¢ per oz                             1,294.375 lbs

2.5 lbs per unit total                10,355.0   lbs

Metal, plastic, and rubber together are 75¢ per pound per unit. (Hint: Do not prepare a separate materials purchases budget for each item of direct materials. Prepare a combined budget using the lbs per unit total applied to the budgeted production).

Capstone, Inc. likes to keep 5% of the materials needed for the next month in its ending inventory. Payment for materials is made within 15 days. 50% is paid in the month of purchase, and 50% is paid in the month after purchase. Accounts Payable on December 31, 2019, totaled $135,000. Raw Materials on December 31, 2019, totaled 10,355 pounds.

Direct Labor

Labor requires 15 minutes per unit for completion and is paid at a rate of $8 per hour.

Manufacturing Overhead

Indirect materials                   35¢ per labor hour

Indirect labor                          55¢ per labor hour

Utilities                                   40¢ per labor hour

Maintenance                           20¢ per labor hour

Salaries                                   $42,000 per month

Depreciation                           $16,800 per month

Property taxes                                     $ 2,675 per month

Insurance                                $ 1,200 per month

Janitorial                                 $ 1,300 per month

Selling and Administrative

Variable selling and administrative cost per unit is $1.60.

Advertising                             $15,500 a month

Insurance                                $ 1,250 a month

Salaries                                   $75,000 a month

            Depreciation                           $ 3,000 a month

Other fixed costs                     $ 3,500 a month

Other Information

The Cash balance on December 31, 2019, totaled $115,000, but management has decided it would like to maintain a cash balance of at least $800,000 beginning on January 31, 2020. Dividends are paid each month at the rate of $1.75 per share for 6,000 shares outstanding. The company has an open line of credit with Romney’s Bank. The terms of the agreement requires the borrowing to be in $1,000 increments at 8% interest. Capstone, Inc. borrows on the first day of the month and repays on the last day of the month. A $525,000 equipment purchase is planned for February.

Instructions

For the first quarter of 2020, do the following.

  1. Prepare a sales budget.
  2. Prepare a production budget.
  3. Prepare a direct materials budget. (Round to nearest dollar)
  4. Prepare a direct labor budget. (For calculations, round to the nearest hour.)
  5. Prepare a manufacturing overhead budget. (Round amounts to the nearest dollar.)
  6. Prepare a selling and administrative budget.
  7. Prepare a schedule for expected cash collections from customers.
  8. Prepare a schedule for expected payments for materials purchases. (Round totals to nearest dollar)
  9. Prepare a cash budget.

Solutions

Expert Solution

All the budgets are prepared.
Please give a thumbs up. Thanks!


Related Solutions

4. Capstone, Inc. (Chapter 9) Capstone, Inc. is preparing its budget for the coming year, 2020....
4. Capstone, Inc. (Chapter 9) Capstone, Inc. is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. Capstone, Inc. gathered the following information from the managers. Sales Unit sales for November 2019                       113,000 Unit sales for December 2019                        103,000 Expected unit sales for January 2020                        115,000 Expected unit sales for February 2020           114,500 Expected unit sales for March 2020               118,000 Expected...
Waterways for Chapter 9 Waterways Corporation is preparing its budget for the coming year. The first...
Waterways for Chapter 9 Waterways Corporation is preparing its budget for the coming year. The first step is to plan for the first quarter of that coming year. Waterways gathered the following information from the managers. Sales: Actual unit sates for November 113,500 Actual unit sales for December 103,100 Expected unit sales for January 114,000 Expected unit sales for February 113,500 Expected unit sales for March 116,000 Expected unit sales for April 126,000 Expected unit sales for May 138,500 Unit...
5. Capstone, Inc. (Chapter 9) Capstone, Inc. is continuing its budget preparations and had the following...
5. Capstone, Inc. (Chapter 9) Capstone, Inc. is continuing its budget preparations and had the following static budget and overhead costs for March 2020. CAPSTONE, INC. Manufacturing Overhead Budget (Static) For the Month of March 2020 Budgeted production in units     117,500 Budgeted costs Indirect materials                      $ 5,875 Indirect labor                              14,100 Utilities                                       11,750 Maintenance                                 8,225 Salaries                                       45,000 Depreciation                               16,800 Property taxes                              3,000 Insurance                                      1,200 Janitorial...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process. Sales Unit sales for November 2019 111,000 Unit sales for December 2019 101,000 Expected unit sales for January 2020 112,000 Expected unit sales for February 2020 114,000 Expected unit sales for March 2020 115,000 Expected unit sales for April 2020 124,000...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process. Sales Unit sales for November 2019 114,000 Unit sales for December 2019 103,000 Expected unit sales for January 2020 114,000 Expected unit sales for February 2020 111,000 Expected unit sales for March 2020 116,000 Expected unit sales for April 2020 125,000...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process. Sales Unit sales for November 2019 111,000 Unit sales for December 2019 103,000 Expected unit sales for January 2020 114,000 Expected unit sales for February 2020 114,000 Expected unit sales for March 2020 116,000 Expected unit sales for April 2020 127,000...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process. Sales Unit sales for November 2019 113,000 Unit sales for December 2019 101,000 Expected unit sales for January 2020 114,000 Expected unit sales for February 2020 111,000 Expected unit sales for March 2020 117,000 Expected unit sales for April 2020 124,000...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to...
Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process. Sales Unit sales for November 2019 112,000 Unit sales for December 2019 101,000 Expected unit sales for January 2020 114,000 Expected unit sales for February 2020 112,000 Expected unit sales for March 2020 115,000 Expected unit sales for April 2020 127,000...
Waterways (9) Corporation is preparing its budget for the coming year. The first step is to...
Waterways (9) Corporation is preparing its budget for the coming year. The first step is to plan for the first quarter of that coming year. Waterways gathered the following information from the managers. Sales: Actual unit sates for November 113,500 Actual unit sales for December 103,100 Expected unit sales for January 114,000 Expected unit sales for February 113,500 Expected unit sales for March 116,000 Expected unit sales for April 126,000 Expected unit sales for May 138,500 Unit selling price $12...
Waterways Continuing Problem 09 Waterways Corporation is preparing its budget for the coming year, 2020. The...
Waterways Continuing Problem 09 Waterways Corporation is preparing its budget for the coming year, 2020. The first step is to plan for the first quarter of that coming year. The company has gathered information from its managers in preparation of the budgeting process. Sales Unit sales for November 2019 111,000 Unit sales for December 2019 101,000 Expected unit sales for January 2020 112,000 Expected unit sales for February 2020 112,000 Expected unit sales for March 2020 116,000 Expected unit sales...
ADVERTISEMENT
ADVERTISEMENT
ADVERTISEMENT